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Informe Diário

Competência: 01/09/2025
Nome do Fundo/Classe: TREND ETF IBOVESPA CLASSE DE ÍNDICE - RESPONSABILIDADE LIMITADACNPJ: 40.155.573/0001-09
Administrador: BANCO BNP PARIBAS BRASIL S/ACNPJ: 01.522.368/0001-82
Dia Quota (R$) Captação no dia (R$) Resgate no dia (R$) Patrimônio Liquido (R$) Total de Carteira (R$) N.º Total de Cotistas Data da próxima informação do PL
0114,4271640000000,000,00843578533,03835917980,42640702/09/2025
0214,3303820000000,0041558107,80796361453,89788754609,48639303/09/2025
0314,2821170000000,005712846,80787966462,98781910573,32639404/09/2025
0414,397481000000719874,050,00795051110,19789126369,97642405/09/2025
0514,5655920000000,0011652473,60792682028,89785640731,37642608/09/2025
0814,4787730000000,002895754,60785061441,49777973289,50638609/09/2025
0914,4610390000000,000,00784099880,45777086631,25638110/09/2025
1014,535618000000726780,900,00788870439,76781808443,42640511/09/2025
1114,6174230000001461742,300,00794771882,41785580509,78640512/09/2025
1214,527516000000726375,800,00790609824,19782852995,45640415/09/2025
1514,6577720000000,000,00797698608,07790407681,75631116/09/2025
1614,7103070000000,000,00800557629,75794394704,59610817/09/2025
1714,8667470000004460024,100,00813531364,94806758478,32573318/09/2025
1814,8569470000000,000,00812995084,98807197379,87579919/09/2025
1914,8943350000000,000,00815040996,34808498493,66580722/09/2025
2214,8172270000000,000,00810821513,92804330286,96579023/09/2025
2314,9519000000000,002990380,00815200649,49808692022,36579824/09/2025
2414,959647000000747982,350,00816371038,93809635620,07586525/09/2025
2514,8386560000002967731,200,00812736100,38806375308,13587226/09/2025
2614,8536410000000,002970728,20810586140,11804283147,64592229/09/2025
2914,9452190000000,001494521,90814089152,08807870658,79601330/09/2025
3014,9374570000000,000,00813666333,12806742024,37600901/10/2025

C = Cancelado.